- Produce daily cashflow forecasts and treasury reports
- Administer expense and credit card systems
- Support month-end close including reconciliations, accruals, and journal entries
- Maintain the Fixed Asset Register and manage Capex processes
- Liaise with auditors and support statutory reporting
- Manage supplier and customer master data changes
- Provide support to the transactional finance team as needed
- Experience in a finance/accounting role with exposure to transactional processes
- Strong understanding of P&L, balance sheet, and tax reporting
- Previous experience supervising or mentoring team members
- Excellent organisational and analytical skills
- Proficiency in ERP systems and Excel (advanced Excel skills desirable)
- AAT Level 4 qualified or equivalent/higher, or qualified by experience